GAMMELRAND SKÆRVEFABRIK A/S — Credit Rating and Financial Key Figures

CVR number: 29098913
Gl Skovvej 6 A, 4470 Svebølle
tel: 59280101
Free credit report Annual report

Income statement (kDKK)

2020
2021
2022
2023
2024
Fiscal period length1212121212
Net sales
Gross profit5 928.939 004.989 115.586 688.3513 635.51
Costs of management-1 295.87-1 308.17-1 356.64-1 433.31-1 448.14
Costs of distribution-6.05-6.21-6.15-7.25-3.00
Wages and salaries-3 341.15-3 624.59-3 846.97-3 970.54-4 370.35
Social security expenses- 458.72- 525.13- 544.85- 547.71- 616.02
Other operating expenses- 101.05- 109.43- 400.25- 177.08- 107.07
EBIT4 525.967 581.167 352.545 070.7112 077.30
Other financial income90.68249.71157.62293.66414.86
Other financial expenses- 149.99- 244.81-12.74-12.12-13.08
Pre-tax profit4 466.657 586.067 497.425 352.2512 479.08
Income taxes- 983.64-1 669.95-1 650.62-1 178.06-2 745.87
Net earnings3 483.015 916.115 846.804 174.209 733.21

Assets (kDKK)

2020
2021
2022
2023
2024
Intangible assets total
Land and waters40 871.6340 342.1639 812.6839 283.2039 136.92
Buildings3 646.042 284.591 278.061 103.172 940.81
Machinery and equipment615.67599.26391.02182.7756.05
Advance payments and construction in progress264.00
Tangible assets total45 133.3543 226.0141 481.7540 569.1542 397.78
Investments total
Long term receivables total
Finished products/goods2 046.433 302.833 662.511 823.313 420.95
Inventories total2 046.433 302.833 662.511 823.313 420.95
Current trade debtors1 581.211 592.982 769.881 731.36818.31
Current amounts owed by group member comp.7 985.912 112.5210 364.7615 649.2526 334.48
Prepayments and accrued income139.297.1017.94
Current other receivables10.050.5519.00
Current deferred tax assets531.85754.56956.951 126.151 040.63
Short term receivables total10 109.024 460.6014 230.8818 513.8628 230.36
Other current investments39.4539.4539.4542.2744.47
Cash and bank deposits2 085.061 881.589.46522.13
Cash and cash equivalents2 124.511 921.0348.90564.4144.47
Balance sheet total (assets)59 413.3052 910.4659 424.0461 470.7274 093.55

Equity and liabilities (kDKK)

2020
2021
2022
2023
2024
Share capital1 000.001 000.001 000.001 000.001 000.00
Asset revaluation reserve4 949.174 887.314 825.444 763.574 701.71
Shares repurchased3 000.00
Retained earnings32 287.3535 832.2241 810.1947 718.8651 954.93
Profit of the financial year3 483.015 916.115 846.804 174.209 733.21
Shareholders equity total44 719.5247 635.6353 482.4457 656.6367 389.84
Provisions900.00900.00900.00900.00900.00
Non-current other liabilities296.60
Non-current liabilities total296.60
Current loans from credit institutions1 035.341 275.41
Current trade creditors233.61686.50652.67431.09428.66
Current owed to group member9 451.94
Short-term deferred tax liabilities1 179.421 892.661 853.021 347.262 660.35
Other non-interest bearing current liabilities2 632.221 795.671 500.591 135.741 439.29
Current liabilities total13 497.184 374.835 041.612 914.095 803.71
Balance sheet total (liabilities)59 413.3052 910.4659 424.0461 470.7274 093.55
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